‎2013 Sep 18 11:45 AM
Dear Expert,
I am clear about the excise procedure..I searched on Internet and i come to following conclusion...
I have captured and posted part1 and part2(TO update RG23A/c register) excise in MIGO screen. I am able to display it in J1IEX. Now I want to post to Excise JV in Tcode J1IH and selecting TR6 Challan and Utilize it in J2IUN.
As i know if i have done excise posting in MIGO which i can see in Table J_1IPART1/2. Now I needn't to do updation in J1I5 and Extraction in J2I5. Now when I am going to Tcode J1IH and clicking on TR6 challan tab for EXcise JV entry It is displaying
Doc number - required field Doc no which it has generated in Part2
Doc year - Optional Fiscal Yr
Company code- req Cocd -1000
Plant -- Req plant- 1000
excise group - Req exgrp- EG
SubT type optional
After giving values it is taking me to new window where it is displaying (based on CIN configuration i think so).
PLA HOLD credit
PLA AED Dr
PLA BED Dr
PLA SED Dr
PLA cess Dr
But it is not picking amount automaically. Do I need to give amount manually. If yes How can I know what value should I give?
And how to run Utilization in J2IUN?
Which step should come first then next ..during complete procedure from capturing, posting, Excise JV entry, Updation of register, extraction, Utilization To paying tax to government.
Please Suggest me What step do I need to follow and correct me if I am wrong at any point.
Thanks in advance.
regards
Mani
‎2013 Sep 19 6:52 AM
Hi,
Firstly pls check why is the need to do a excise JV via J1IH ??
J1IH > TR6C will post to PLA directly. It will bring only the PLA accounts maintained
in tables J_1ITRNACC and J_1IEXCACC..
The system will NOT bring in any amounts automatically, you MUST enter the same manually
as per your business requirements..
Pls note that J1IH in CIN like doing and direct FI JV. J1IH will directly hit the register balances..
Regards,
Rajasree R
‎2013 Sep 18 2:42 PM
Ref the doc for Cenvat Utilization.
http://scn.sap.com/docs/DOC-46185
ref the below for CIN understading
http://wiki.scn.sap.com/wiki/display/bpxproj/CIN+User+manuval+for+MM
‎2013 Sep 20 6:56 AM
Thanks for your kind suggestion.
After going through the document referred by you and reading some more i come to following conclusion
which is as.
1st scenario
I can capture excise and post in MIGO. (for MM) also in J1IEX but require updation of registers RG23A/C
same I can do in J1IIN(for SD).
and 2nd scenario
In fb50
pla on hold acct debit/40
pla interim acct clearing credit/50
In Fb60/f-43 Invoice to tax authority
Tax authority (as a vendor) credit/31
pla interim acct clearing debit /40
Payment to tax authority (f-54)
Tax authority (as a vendor) debit/25
Cash/bank act credit/50
Tr6 challan posting to update PLA register
Pla on hold acct credit/50
BED Debit
AED Debit
SED Debit
ECess Debit
SCess Debit
Then Utilization J2IUN
Please suggest me step that i should follow, and How can i link between Scenario 1st and 2nd.
Please guide me.
Thanks in advance
Mani
‎2013 Sep 19 6:52 AM
Hi,
Firstly pls check why is the need to do a excise JV via J1IH ??
J1IH > TR6C will post to PLA directly. It will bring only the PLA accounts maintained
in tables J_1ITRNACC and J_1IEXCACC..
The system will NOT bring in any amounts automatically, you MUST enter the same manually
as per your business requirements..
Pls note that J1IH in CIN like doing and direct FI JV. J1IH will directly hit the register balances..
Regards,
Rajasree R
‎2013 Sep 20 7:40 AM
Thanks for replying.
I just want to know how can I interlink Excise posted in J1IEX and J1IIN before paying excise duty on goods produce and going to sale. and how does/will it update automatically to PLA register.
How can i know what excise duty liable to pay at end of month?
How much rebate will i get for tax paid on Raw material/Capital goods I have used in manufacturing of finished goods which I am going to sale and for that I am liable to pay Tax to tax authority ?
Please suggest me, I am unable to integrate the scenario.
thanks in advance.
Mani
‎2013 Sep 20 6:44 AM
I will give you just an heads up on the Excise process.
Procurement Process
GL is triggered from SPRO-LG-Tax on Goods mvt - Account determination
ETT Type is GRPO and GL assigned against the combination COA - Exc grp RG23A etc etc
BED DR
Ecs DR
Sccess DR
Cenvat Credit
same Way for sales
SO with Tax values in SDPP - determined by UTXJ
GL is triggered from SPRO-LG-Tax on Goods mvt - Account determination
ETT Type is DLFC and GL assigned against the combination COA - Exc grp RG23A etc etc
BED CR
Ecs CR
Sccess CR
Cenvat DR
Now we do Reconciliation of the input and out Cenvat benefit availed .
detailed process is available in the earlier link and also available in the forum.
This note is only a brief on the entire process. Let us know if any help.
fyi- J1IH is for a manual entry - simply to correct an excise posting manually.
regards
Manu
‎2013 Sep 20 7:16 AM
Thanks for your kind suggestion.
After going through the document referred by you and reading some more i come to following conclusion
which is as.
1st scenario
I can capture excise and post in MIGO. (for MM) also in J1IEX but require updation of registers RG23A/C
As you have suggested it is triggering
GL is triggered from SPRO-LG-Tax on Goods mvt - Account determination
ETT Type is GRPO and GL assigned against the combination COA - Exc grp RG23A etc etc
BED DREcs DRSccess DRCenvat Credit same I can do in J1IIN(for SD).
BED CR
Ecs CR
Sccess CR
Cenvat DR
How we do Reconciliation of the input and out Cenvat benefit availed ?
If J1ih is for manual posting, so what is the way to auto matic posting?
and 2nd scenario
In fb50
pla on hold acct debit/40
pla interim acct clearing credit/50
In Fb60/f-43 Invoice to tax authority
Tax authority (as a vendor) credit/31
pla interim acct clearing debit /40
Payment to tax authority (f-54)
Tax authority (as a vendor) debit/25
Cash/bank act credit/50
Tr6 challan posting to update PLA register
Pla on hold acct credit/50
BED Debit
AED Debit
SED Debit
ECess Debit
SCess Debit
Then Utilization J2IUN
Please suggest me step that i should follow, and How can i link between Scenario 1st and 2nd.
Please guide me.
Thanks in advance
Mani
‎2013 Sep 20 8:46 AM
Scenario 1 is Logistics part with CIN
Scenario 2 is FI part for payment to tax authority.
I can help you on Scenario 1 .
To Your Question :How we do Reconciliation of the input and out Cenvat benefit availed ?
Its done through T code J2IUN
I/p GL account Cr and Output GL account Dr
process :Already shared in the link .
http://scn.sap.com/docs/DOC-46185
regards
Manu
‎2013 Sep 20 11:51 AM
Thanks for valuable suggestion.
I have done J1lIEX capturing and posting in MIGO
then J1IIN
and Now trying to do utilization, In the document you have suggested in that doc RG23ABED available
balance is not zero but when i am trying it is displaying zero available balance.Please check the screen shot .
Kindly suggest me which step is missing.
‎2013 Sep 20 1:47 PM
How you did J1IIN and Part 1@ RG1 Update ?
please elaborate .
just fyi- You need to do J1i5 and extract the registers as pre req.
use T code J1ILN for all CIN front end t code.
‎2013 Sep 20 1:59 PM
When I am going to tcode vf03 to display billing doc>> Accounting entry
It is displaying 2 accounting entry document.
Please look at the screen shot.
This is hitting to G/l as we have done config for UTJX. So I think I have done J1IIN at the time creating billing document itself.
Please correct me if i am wrong, and tell me next step.
Thanks in advance.
‎2013 Sep 20 4:58 PM
Please do J1I5 or J2I5, then check J2IUN entries
‎2013 Sep 23 6:21 AM
Hi Mani ,
is it working . Else not .
please close this ticket and post anew one with specific on Utilization only.
Till then its fine seems .
regards
Manu
‎2013 Sep 23 7:18 AM
Dear Expert,
As you said I tried to update registers using tcode J1I5.
and used classification ROP. It's take me to new screen where I selected 1 entry and then i clicked on Register Entry button and that item get disappeared.
I don't know anything about classification. Can You please explain me in detail about all 'classification' and their link with RG23a/C and RG1 part1 registers.
2) I think This is not the problem, But the main problem is I am not giving suitable G/L account
in J2IUN
in following fields:
Service tax credit account
ECESS on ser tax account
SECess on ser tax account
Service tax payable account
ECS on ser payable account
SECess on ser payable account
Please correct me if I am wrong and please tell me which acct should i put here ?
If you need I can send You list of g/l account or I am attaching Screen shot which are hitting
At the time of excise posting in MIGO and In tcode VF01 - sales doc billing.
‎2013 Sep 23 7:50 AM
Please post this as a new Question . The subject and your first and last question may be misleading to viewers .
plz specify with Screen shot of J21UN - what pre req need to do .ok
close this before u open a new.